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00640L FB TOPIX L2XI(本基金採匯率避險)
  • Portfolio Composition File
  • 2026/08/31
  • The Amount of Total Advance Subscription

    NT$66,590,000

  • Net Asset Value(NAV)

    NT$711,859,736

  • Total Units Outstanding

    6,419,000

  • Net Unit Change

    0

  • NAV Per Unit

    NT$110.90

  • Creation/Redemption Unit

    500,000

  • Equity Value Per Basket

    NT$55,449,426

  • Cash Component Per Basket

    NT$-9,986,759

  • Price per creation basket

    NT$55,493,241

Primary Market

Fund Purchase

Yes

Fund Redemption

Yes

Total Beneficiaries (2026/07)

1,336

每申購基數實際申購總價金及總價金差異額與實際執行結果有關,以基金經理公司通知給付之金額為準,詳請參閱公開說明書。
  • Domestic ETF
  • Overseas ETF
  • Leveraged / Inverse ETF
  • Fixed Income ETF
  • Actively Managed ETF